E&I Global Energy Services, Inc. v. Liberty Mutual Surety Co.

CourtDistrict Court, D. South Dakota
DecidedJanuary 24, 2023
Docket4:20-cv-04033
StatusUnknown

This text of E&I Global Energy Services, Inc. v. Liberty Mutual Surety Co. (E&I Global Energy Services, Inc. v. Liberty Mutual Surety Co.) is published on Counsel Stack Legal Research, covering District Court, D. South Dakota primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
E&I Global Energy Services, Inc. v. Liberty Mutual Surety Co., (D.S.D. 2023).

Opinion

UNITED STATES DISTRICT COURT DISTRICT OF SOUTH DAKOTA SOUTHERN DIVISION

E&I GLOBAL ENERGY SERVICES, INC. 4:20-CV-04033-KES and E&C GLOBAL, LLC, ORDER DENYING PLAINTIFFS’ Plaintiffs, MOTION TO RECONSIDER; DENYING PLAINTIFFS’ MOTION TO vs. ORDER EXPERT REPORT OR TO LIMIT MATTINGLY’S TESTIMONY TO LIBERTY MUTUAL INSURANCE CO., LAY PERSON TESTIMONY; and DENYING PLAINTIFFS’ MOTION TO Defendant. COMPEL

BACKGROUND

This case centers around a government project for a substation—the VT Hanlon Substation. See Docket 43 ¶ 3; Docket 44 ¶ 3. Plaintiffs E&I Global Energy Services, Inc. and E&C Global, LLC, (collectively E&I) sue Liberty Mutual Insurance Co. on five grounds, including breach of contract and fraud. See Docket 43 at 9-12. On June 7, 2021—E&I’s deadline to submit expert identities and retained experts under Rule 26(a)(2)—E&I timely served Aaron Raddock’s identity and report. See Docket 48 at 2-3; Docket 54 at 3. On October 29, 2021, E&I served a second witness designation form for Raddock— but not his report—and noted in its designation that “If called at trial, Mr. Raddock will testify in accordance with the report attached to Plaintiffs’ first designation of expert witness testimony in addition to lost enterprise value.” Docket 49-4 at 2 (emphasis added). On December 15, 2021, E&I served Raddock’s second report. Docket 48 at 4; Docket 54 at 3. Liberty filed a motion to exclude Raddock’s second report as untimely. Docket 47 at 1. The court granted Liberty’s motion, finding that “E&I’s failure to timely submit Raddock’s December 15 report is neither substantially

justified nor harmless.” See Docket 60 at 23. E&I now moves the court to reconsider its decision to exclude Raddock’s second report. Docket 74 at 1. E&I further asks the court to “limit Liberty Mutual’s expert to testimony for which the court finds he is sufficiently qualified to testify and that which Liberty Mutual has disclosed.” Id. As part of this request, E&I requests that the court “order Liberty Mutual to disclose its expert’s rebuttal report, so E&I can prepare for trial, or else issue an order limiting Mr. Mattingly to his factual testimony and opinions the court finds him

sufficiently knowledgeable to testify.” Docket 75 at 16. Finally, E&I moves the court to “order Liberty Mutual to supplement its document production to provide documents responsive to E&I’s Request for production.” Docket 74 at 1. The court addresses these three motions in turn. DISCUSSION I. Motion to Reconsider Rule 60(b) provides that “[o]n motion and just terms, the court may relieve a party . . . from a[n] . . . order” based on at least one of six enumerated

reasons. Fed. R. Civ. Proc. 60(b). “A district court should grant a Rule 60(b) motion ‘only upon an adequate showing of exceptional circumstances.’ ” Richards v. Aramark Servs., Inc., 108 F.3d 925, 927 (8th Cir. 1997) (quoting United States v. Tracts 10 & 11 of Lakeview Heights, 51 F.3d 117, 120 (8th Cir. 1995)). The court has “wide discretion” in ruling on a Rule 60(b) motion. Jones v. Swanson, 512 F.3d 1045, 1048 (8th Cir. 2008). Rule 60(b) motions do not allow for movants to simply relitigate issues a district court has already ruled

on. See In re SDDS, Inc., 225 F.3d 970, 972 (8th Cir. 2000). Here, E&I largely fails to present any new argument or fact that it could not have made at the time it litigated this issue initially. Instead, E&I mostly repeats its arguments. For example, in its motion to reconsider, E&I again argues that it timely served Aaron Raddock’s Supplemental Expert Disclosure on October 29, 2021. See Docket 75 at 4. But E&I made this argument initially, and the court already rejected it in its initial order. See, e.g., Docket 54 at 3; Docket 60 at 9 n.3. Similarly, E&I repeats its argument that it put

Liberty “on notice” on October 29, 2021, when it provided Raddock’s Supplemental Expert Disclosure, and thus Liberty’s “silence” in not objecting establishes that Liberty acquiesced to Raddock’s upcoming report. See Docket 75 at 11-12; Docket 54 at 3. E&I also provides the court with extensive email correspondence between E&I and Liberty’s counsel. See, e.g., Docket 75-1; Docket 75-2. But E&I could have included these emails in its original opposition to Liberty’s motion to exclude, and it did not. E&I further re-asserts that the prejudice to it is significant, and that the court should have considered

a less harsh sanction. See Docket 75 at 8-9. But the court already balanced the equities involved in the case and will not re-engage in its analysis. See Docket 60 at 16-26. The court finds these arguments insufficient to warrant reconsideration. E&I does raise a few new arguments, but these arguments either (1) were available to E&I at the time it litigated this issue; or (2) do not rise to the level of “exceptional circumstances” required under Rule 60(b). E&I argues for the

first time that the impacts of COVID-19 impacted its counsel’s ability to meet deadlines. See Docket 75 at 13. But E&I never made this argument—even though it could have—and thus the court will not consider it now. E&I also argues that Liberty failed to comply with Local Rule 37.1 because Liberty never conferred with E&I before filing its motion to exclude Raddock’s second supplemental report. See Docket 75 at 13-14. Local Rule 37.1 provides: A party filing a motion concerning a discovery dispute must file a separate certification describing the good faith efforts of the parties to resolve the dispute. If the court schedules a hearing on the motion, at least 7 calendar days prior to the hearing, or sooner as the court may require, the parties must file a statement setting forth the matters upon which they have been unable to agree.

Although E&I did argue initially that Liberty failed to meet and confer prior to Liberty filing its motion to exclude Raddock’s second report, E&I did not cite Local Rule 37.1. As a result, the court did not consider Local Rule 37.1 in its analysis and concluded in a footnote that because Federal Rule of Civil Procedure Rule 37 did not require such conferral, Liberty was not obligated to do so. See Docket 60 at 21 n.5. By its express terms, Local Rule 37.1 applies to “discovery disputes,” and discovery disputes fall under Federal Rule of Civil Procedure 37(a). Indeed, Local Rule 37.1 is a supplement to Federal Rule of Civil Procedure 37(a)(1), which requires that before filing a motion to compel discovery, that motion “must include a certification that the movant has in good faith conferred or attempted to confer with the person or party failing to make disclosure or discovery in an effort to obtain it without court action.” See Fed. R. Civ. Proc. 37(a)(1); Rosane v. Shannon Cty. Sch. Dist. 65-1, 2012 WL

3637191 (D.S.D. Aug. 21, 2012), at *2 (analyzing Federal Rule of Procedure 37(a)(1) with Local Rule 37.1). The motion here is based on a failure to disclose, which falls under Federal Rule of Civil Procedure 37(c), which does not have a meet and confer requirement. See Vanderberg v. Petco Animal Supplies Stores, Inc., 906 F.3d 698, 707 (8th Cir. 2018).

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E&I Global Energy Services, Inc. v. Liberty Mutual Surety Co., Counsel Stack Legal Research, https://law.counselstack.com/opinion/ei-global-energy-services-inc-v-liberty-mutual-surety-co-sdd-2023.